Contents Page
Statement of Revenues and Expenses
Statement of Assets and Liabilities
Statement of Program Expenses and Revenues
Notes to and Forming Part of the Financial Statements
Agency Revenues and Expenses
for the year ended 30 June 1998
1997-98 $’000 |
1996-97 $’000 |
||
NET COST OF SERVICES | |||
Expenses | |||
Employees |
31,886 |
33,667 |
|
Suppliers |
17,451 |
16,110 |
|
Depreciation and amortisation |
1,643 |
1,859 |
|
Interest |
13 |
15 |
|
Write down of assets |
- |
(96) |
|
Expenses of business operations |
24,520 |
24,744 |
|
Total expenses |
75,513 |
76,299 |
|
Revenues from independent sources | |||
Net gains from sale of assets |
2 |
31 |
|
Other revenues from independent sources |
972 |
1,382 |
|
Revenues of business operations |
25,312 |
26,731 |
|
Total revenues from independent sources |
26,286 |
28,144 |
|
Net cost of services |
49,227 |
48,155 |
|
REVENUES FROM GOVERNMENT | |||
Appropriations used for: | |||
Ordinary annual services (net appropriations) |
50,137 |
51,525 |
|
Other services |
113 |
130 |
|
Resources received free of charge |
534 |
739 |
|
Total revenues from government |
50,784 |
52,394 |
|
Operating surplus/deficit before extraordinary items |
1,557 |
4,239 |
|
Net revenues or expenses from extraordinary items: | |||
Restructuring |
(62) |
- |
|
Operating surplus/deficit |
1,495 |
4,239 |
|
Accumulated results at 1 July |
6,845 |
2,606 |
|
Accumulated results at 30 June |
8,340 |
6,845 |
The above statement should be read in conjunction with the accompanying notes.
Administered Revenues and Expenses
for the year ended 30 June 1998
1997-98 |
1996-97 |
||
REVENUES | |||
NON TAXATION | |||
Interest revenue |
1,692,913 |
1,573,096 |
|
Dividend revenue |
2,729,654 |
1,705,426 |
|
Revenue arising from securities other than trading securities |
246,267 |
363,674 |
|
Other |
9,136,515 |
2,217,778 |
|
Total revenues |
13,805,349 |
5,859,974 |
|
EXPENSES | |||
Grants |
16,931,550 |
16,727,648 |
|
Net foreign exchange losses |
2,698,393 |
399,648 |
|
Interest and other financing costs |
8,728,490 |
10,315,173 |
|
Other |
7,125,009 |
1,339,723 |
|
Total expenses |
35,483,442 |
28,782,192 |
|
Net cost to government |
(21,678,093) |
(22,922,218) |
|
TRANSFERS | |||
Cash from the Official Commonwealth Public Account |
106,369,105 |
32,404,081 |
|
Cash to the Official Commonwealth Public Account |
(76,016,938) |
(10,085,155) |
|
Net change in administered net assets before extraordinary items |
8,674,074 |
(603,292) |
|
Net revenue from extraordinary items |
95,910 |
- |
|
Net change in administered net assets |
8,769,984 |
(603,292) |
|
Accumulated results at 1 July |
(127,687) |
(97,500,398) |
|
Transfer from reserves |
- |
(2,925,390) |
|
Change in accounting policy |
(101,095,607) |
100,901,393 |
|
Accumulated results at 30 June |
(92,453,310) |
(127,687) |
The above statement should be read in conjunction with the accompanying notes.
Agency Assets and Liabilities
as at 30 June 1998
1997-98 |
1996-97 |
||
DEBT | |||
Leases |
22 |
219 |
|
Total debt |
22 |
219 |
|
PROVISIONS AND PAYABLES | |||
Employees |
12,742 |
12,963 |
|
Suppliers |
1,044 |
2,632 |
|
Other |
1,147 |
1,500 |
|
Total provisions and payables |
14,933 |
17,095 |
|
Total liabilities |
14,955 |
17,314 |
|
EQUITY | |||
Accumulated results |
8,340 |
6,845 |
|
Reserves |
4,463 |
4,463 |
|
Total equity |
12,803 |
11,308 |
|
Total liabilities and equity |
27,758 |
28,622 |
|
FINANCIAL ASSETS | |||
Cash |
36 |
6,287 |
|
Receivable |
5,246 |
3,914 |
|
Investments |
1,368 |
- |
|
Total financial assets |
6,650 |
10,201 |
|
NON-FINANCIAL ASSETS | |||
Infrastructure, plant and equipment |
8,085 |
9,115 |
|
Inventories |
5,962 |
4,573 |
|
Intangibles |
366 |
243 |
|
Other |
6,695 |
4,490 |
|
Total non-financial assets |
21,108 |
18,421 |
|
Total assets |
27,758 |
28,622 |
|
Current liabilities |
5,341 |
7,521 |
|
Non-current liabilities |
9,614 |
9,793 |
|
Current assets |
16,174 |
16,096 |
|
Non-current assets |
11,584 |
12,526 |
The above statement should be read in conjunction with the accompanying notes.
Administered Assets and Liabilities
as at 30 June 1998
1997-98 |
1996-97 |
||
DEBT | |||
Government securities |
97,746,374 |
111,204,749 |
|
Loans |
3,523,963 |
9,390,921 |
|
Total debt |
101,270,337 |
120,595,670 |
|
PROVISIONS AND PAYABLES | |||
Grants |
27,500 |
30,000 |
|
Payables due to other financial institutions |
2,783,627 |
11,471,955 |
|
Other |
4,323,022 |
4,594,047 |
|
Total provisions and payables |
7,134,149 |
16,096,002 |
|
Total liabilities |
108,404,486 |
136,691,672 |
|
EQUITY | |||
Accumulated results |
(92,453,310) |
(127,687) |
|
Reserves |
8,039,640 |
8,112,510 |
|
Total equity |
(84,413,670) |
7,984,823 |
|
Total liabilities and equity |
23,990,816 |
144,676,495 |
|
FINANCIAL ASSETS | |||
Cash |
11,433 |
2,305,164 |
|
Receivables due from other financial institutions |
89,019 |
11,147,914 |
|
Loans and advances |
7,305,705 |
9,255,980 |
|
Other receivables |
2,806,067 |
108,847,493 |
|
Investments |
13,756,776 |
13,119,944 |
|
Total financial assets |
23,969,000 |
144,676,495 |
|
NON-FINANCIAL ASSETS | |||
Other – deferred acquisition costs |
21,816 |
- |
|
Total non-financial assets |
21,816 |
- |
|
Total assets |
23,990,816 |
144,676,495 |
|
Current liabilities |
23,197,539 |
29,545,837 |
|
Non-current liabilities |
85,206,947 |
107,145,835 |
|
Current assets |
3,052,509 |
29,474,680 |
|
Non-current assets |
20,938,307 |
115,201,815 |
The above statement should be read in conjunction with the accompanying notes.
Agency Revenues and Expenses by Program
for the year ended 30 June 1998
Treasury |
Royal Australian Mint |
Total |
||||
1997-98 $’000 |
1996-97 $’000 |
1997-98 $’000 |
1996-97 $’000 |
1997-98 $’000 |
1996-97 $’000 |
|
NET COST OF SERVICES | ||||||
Expenses | ||||||
Employees |
31,886 |
33,667 |
- |
- |
31,886 |
33,667 |
Suppliers |
17,451 |
16,110 |
- |
- |
17,451 |
16,110 |
Depreciation and amortisation |
1,643 |
1,859 |
- |
- |
1,643 |
1,859 |
Interest |
13 |
15 |
- |
- |
13 |
15 |
Write down of assets |
- |
(96) |
- |
- |
- |
(96) |
Expenses of business operations |
- |
- |
24,520 |
24,744 |
24,520 |
24,744 |
Total expenses |
50,993 |
51,555 |
24,520 |
24,744 |
75,513 |
76,299 |
Revenues from independent sources | ||||||
Net gains from sales of assets |
2 |
31 |
- |
- |
2 |
31 |
Other revenues from independent sources |
972 |
1,382 |
- |
- |
972 |
1,382 |
Revenues of business operations |
- |
- |
25,312 |
26,731 |
25,312 |
26,731 |
Total revenues from independent sources |
974 |
1,413 |
25,312 |
26,731 |
26,286 |
28,144 |
Net cost of services |
50,019 |
50,142 |
(792) |
(1,987) |
49,227 |
48,155 |
REVENUES FROM GOVERNMENT | ||||||
Appropriations used for: | ||||||
Ordinary annual services (net appropriations) |
50,137 |
51,525 |
- |
- |
50,137 |
51,525 |
Other services |
113 |
130 |
- |
- |
113 |
130 |
Resources received free of charge |
534 |
739 |
- |
- |
534 |
739 |
Total revenues from government |
50,784 |
52,394 |
- |
- |
50,784 |
52,394 |
Operating result before extraordinary items |
765 |
2,252 |
792 |
1,987 |
1,557 |
4,239 |
Restructuring |
(62) |
- |
- |
- |
(62) |
- |
Operating surplus/deficit |
703 |
2,252 |
792 |
1,987 |
1,495 |
4,239 |
The above statement should be read in conjunction with the accompanying notes.
Administered Revenues and Expenses by Program
for the year ended 30 June 1998
Treasury |
Royal Australian Mint |
Total |
||||
1997-98 $’000 |
1996-97 $’000 |
1997-98 $’000 |
1996-97 $’000 |
1997-98 $’000 |
1996-97 $’000 |
|
REVENUES | ||||||
NON TAXATION | ||||||
Interest revenue |
1,692,913 |
1,573,096 |
- |
- |
1,692,913 |
1,573,096 |
Dividend revenue |
2,729,654 |
1,705,426 |
- |
- |
2,729,654 |
1,705,426 |
Revenue from securities other than trading securities |
246,267 |
363,674 |
- |
- |
246,267 |
363,674 |
Other |
9,136,515 |
2,217,778 |
- |
- |
9,136,515 |
2,217,778 |
Total revenues |
13,805,349 |
5,859,974 |
- |
- |
13,805,349 |
5,859,974 |
EXPENSES | ||||||
Grants |
16,931,550 |
16,727,648 |
- |
- |
16,931,550 |
16,727,648 |
Net foreign exchange losses |
2,698, 393 |
399,648 |
- |
- |
2,698,393 |
399,648 |
Interest and other financing costs |
8,728,490 |
10,315,173 |
- |
- |
8,728,490 |
10,315,173 |
Other |
7,125,009 |
1,339,723 |
- |
- |
7,125,009 |
1,339,723 |
Total expenses |
35,483,442 |
28,782,192 |
- |
- |
35,483,442 |
28,782,192 |
Net cost to government |
(21,678,093) |
(22,922,218) |
- |
- |
(21,678,093) |
(22,922,218) |
TRANSFERS | ||||||
Cash from the Official Commonwealth Public Account |
106,369,105 |
32,404,081 |
- |
- |
106,369,105 |
32,404,081 |
Cash to the Official Commonwealth Public Account |
(76,016,938) |
(10,085,155) |
- |
- |
(76,016,938) |
(10,085,155) |
Net change in administered net assets before extraordinary items |
8,674,074 |
(603,292) |
- |
- |
8,674,074 |
(603,292) |
Net revenue from extraordinary items |
95,910 |
- |
- |
- |
95,910 |
- |
Net change in administered net assets |
8,769,984 |
(603,292) |
- |
- |
8,769,984 |
(603,292) |
Accumulated results at 1 July |
(127,687) |
(97,500,398) |
- |
- |
(127,687) |
(97,500,398) |
Transfer from reserves |
- |
(2,925,390) |
- |
(2,925,390) |
||
Change in accounting policy |
(101,095,607) |
100,901,393 |
- |
- |
(101,095,607) |
100,901,393 |
Accumulated results at 30 June |
(92,453,310) |
(127,687) |
- |
- |
(92,453,310) |
(127,687) |
The above statement should be read in conjunction with the accompanying notes.
Agency Cash Flows
for the year ended 30 June 1998
1997-98 |
1996-97 |
||
OPERATING ACTIVITIES | |||
Cash received | |||
Appropriations |
49,740 |
48,321 |
|
Sale of goods and services |
24,651 |
29,833 |
|
Total cash received |
74,391 |
78,154 |
|
Cash used | |||
Employees |
(38,105) |
(39,136) |
|
Suppliers |
(39,884) |
(32,105) |
|
Interest |
(17) |
(11) |
|
Trust Fund moneys transferred to Consolidated Revenue Fund |
- |
533 |
|
Total cash used |
(78,006) |
(70,719) |
|
Net cash from operating activities |
(3,615) |
7,435 |
|
INVESTING ACTIVITIES | |||
Cash received | |||
Proceeds from sales of infrastructure, plant and equipment |
277 |
58 |
|
Total cash received |
277 |
58 |
|
Cash used | |||
Purchase of infrastructure, plant and equipment |
(1,658) |
(1,281) |
|
Purchase of investments |
(750) |
(200) |
|
Total cash used |
(2,408) |
(1,481) |
|
Net cash from investing activities |
(2,131) |
(1,423) |
|
FINANCING ACTIVITIES | |||
Cash used | |||
Trust fund surplus transferred |
(505) |
- |
|
Total cash used |
(505) |
- |
|
Net cash used by financing activities |
(505) |
- |
|
Net increase in cash held |
(6,251) |
6,012 |
|
add cash at 1 July |
6,287 |
275 |
|
Cash at 30 June |
36 |
6,287 |
The above statement should be read in conjunction with the accompanying notes.
Administered Cash Flows
for the year ended 30 June 1998
1997-98 |
1996-97 |
||
OPERATING ACTIVITIES | |||
Cash received | |||
NON TAXATION | |||
Interest |
1,991,220 |
1,582,218 |
|
Dividends |
1,706,728 |
2,141,559 |
|
Cash from Official Commonwealth Public Account |
31,841,379 |
27,649,405 |
|
Other |
1,070,270 |
1,238,161 |
|
Total cash received |
36,609,597 |
32,611,343 |
|
Cash used | |||
Borrowing costs |
9,467,110 |
10,368,941 |
|
Grants |
16,934,050 |
16,697,648 |
|
Cash to Official Commonwealth Public Account |
4,757,919 |
4,961,938 |
|
Other |
5,351,744 |
582,816 |
|
Total cash used |
36,510,823 |
32,611,343 |
|
Net cash from operating activities |
98,774 |
- |
|
INVESTING ACTIVITIES | |||
Cash received | |||
Proceeds from sales of equity instruments |
- |
12,500 |
|
Repayments of advances |
158,119 |
85,183 |
|
Cash from Official Commonwealth Public Account |
2,165,211 |
4,265,256 |
|
Other |
2,101,654 |
4,797,397 |
|
Total cash received |
4,424,984 |
9,160,336 |
|
Cash used | |||
Purchase of equity instruments |
19,772 |
11,536 |
|
Cash to Official Commonwealth Public Account |
2,259,773 |
4,895,080 |
|
Other |
2,158,319 |
4,253,720 |
|
Total cash used |
4,437,864 |
9,160,336 |
|
Net cash from investing activities |
(12,880) |
- |
|
FINANCING ACTIVITIES | |||
Cash received | |||
Proceeds from borrowing |
60,038,086 |
67,279,424 |
|
Cash from Commonwealth Public Account |
72,362,515 |
67,850,653 |
|
Other |
10,166,867 |
781,714 |
|
Total cash received |
142,567,468 |
135,911,791 |
|
Cash used | |||
Repayment of debt |
75,487,035 |
66,334,273 |
|
Cash to Commonwealth Public Account |
68,999,246 |
67,783,582 |
|
Other |
460,812 |
- |
|
Total cash used |
144,947,093 |
134,117,855 |
|
Net cash from financing activities |
(2,379,625) |
1,793,936 |
|
Net increase in cash held |
(2,293,731) |
1,793,936 |
|
Add cash at 1 July |
2,305,164 |
511,228 |
|
Cash at 30 June |
11,433 |
2,305,164 |
The above statement should be read in conjunction with the accompanying notes.
Schedule of Commitments
as at 30 June 1998
Agency |
Administered |
|||
1997-98 |
1996-97 |
1997-98 |
1996-97 |
|
$’000 |
$’000 |
$’000 |
$’000 |
|
OTHER COMMITMENTS | ||||
Operating leases |
6,213 |
10,828 |
- |
- |
Other commitments |
557 |
119 |
- |
- |
Total other commitments |
6,770 |
10,947 |
- |
- |
COMMITMENTS RECEIVABLE |
- |
- |
- |
- |
Net commitments |
6,770 |
10,947 |
- |
- |
BY MATURITY | ||||
All net commitments | ||||
One year or less |
3,405 |
4,129 |
- |
- |
From one to two years |
2,790 |
3,942 |
- |
- |
From two to five years |
575 |
2,876 |
- |
- |
Over five years |
- |
- |
- |
- |
Net commitments |
6,770 |
10,947 |
- |
- |
Operating Lease Commitments | ||||
One year or less |
3,092 |
4,056 |
- |
- |
From one to two years |
2,546 |
3,896 |
- |
- |
From two to five years |
575 |
2,876 |
- |
- |
Over five years |
- |
- |
- |
- |
Net commitments |
6,213 |
10,828 |
- |
- |
Schedule of Contingencies
as at 30 June 1998
Agency |
Administered |
||||
1997-98 $’000 |
1996-97 $’000 |
1997-98 $’000 |
1996-97 $’000 |
||
CONTINGENT LOSSES | |||||
Uncalled shares |
- |
- |
8,636,836 |
7,107,565 |
|
Claims for damages/costs 1 |
500 |
500 |
- |
- |
|
Total contingent losses |
500 |
500 |
8,636,836 |
7,107,565 |
|
CONTINGENT GAINS | |||||
Claims for damages |
- |
- |
- |
500 |
|
Total contingent gains |
- |
- |
- |
500 |
|
Net contingencies |
500 |
500 |
8,636,836 |
7,107,065 |
Note 1: This is a claim for compensation for an injury due to an accident at the Treasury/DoFA Cafeteria.
The above schedules should be read in conjunction with the accompanying notes.